GARP is the leading professional association for risk managers, dedicated to the advancement of the risk profession through education, research and the promotion of best practices globally.
To help the world make better informed decisions, GARP educate and inform risk
professionals at all levels, from those beginning their careers in risk to those leading risk programs of the largest financial institutions across the globe, to regulators that govern them.
We provide classes for the GARP’s Financial Risk Manager (FRM) certification.
Financial Risk Manager FRM
Recognised in every major market, the FRM is the leading certification for risk managers. It is consistently in demand by nearly every major bank and firm in the world, and is awarded only to professionals who demonstrate the Knowledge and ability to anticipate, respond, and adapt to critical risk issues. FRM exams constitute two parts:
FRM Exam Part I
FRM Exam Part I focuses on the tools used to assess financial risk: quantitative analysis, fundamental risk management concepts, financial markets and products, and valuation and risk models. Here are the subjects:
• Foundation of Risk Management
• Quantitative Analysis
• Financial Markets and Products
• Valuation and Risk Models
FRM Exam Part II
FRM Exam Part II emphasizes the application of the tools acquired in Part I: market, credit, operational and integrated risk management, investment management as well as current market issues. Here are the subjects:
• Market Risk Measurement and Management
• Credit Risk Measurement and Management
• Operational and Integrated Risk Management
• Risk Management and Investment Management
Use the following link to explore the FRM Program
Or Contact Us: